Ampacs Corp
TWSE:6743

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Ampacs Corp
TWSE:6743
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Price: 40.3 TWD -0.98% Market Closed
Market Cap: 6B TWD
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Cash Flow Statement

Cash Flow Statement
Ampacs Corp

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Cash Flow Statement
Currency: TWD
Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023
Operating Cash Flow
Net Income
68
348
706
605
679
567
132
(76)
(35)
(44)
89
114
43
19
(34)
Depreciation & Amortization
173
156
194
182
247
291
355
430
452
454
460
459
462
491
504
Other Non-Cash Items
32
(4)
5
40
38
60
75
69
67
79
118
152
171
173
195
Cash Taxes Paid
62
5
4
25
23
160
168
168
166
14
15
25
35
46
51
Cash Interest Paid
21
(5)
4
25
27
33
41
50
60
70
83
104
124
141
161
Change in Working Capital
(216)
(562)
(1 055)
(1 083)
(1 227)
(1 320)
(1 051)
(1 283)
(979)
(694)
(305)
412
48
86
(273)
Cash from Operating Activities
57
N/A
(62)
N/A
(150)
-140%
(256)
-71%
(264)
-3%
(402)
-53%
(489)
-22%
(861)
-76%
(496)
+42%
(205)
+59%
361
N/A
1 136
+214%
724
-36%
770
+6%
392
-49%
Investing Cash Flow
Capital Expenditures
(901)
(1 070)
(1 415)
(1 046)
(1 409)
(2 303)
(2 117)
(1 909)
(1 476)
(328)
(214)
(364)
(343)
(285)
(289)
Other Items
49
251
435
(89)
(38)
(176)
(419)
30
(80)
(91)
(57)
36
159
249
124
Cash from Investing Activities
(852)
N/A
(819)
+4%
(979)
-20%
(1 134)
-16%
(1 447)
-28%
(2 479)
-71%
(2 535)
-2%
(1 879)
+26%
(1 556)
+17%
(419)
+73%
(272)
+35%
(328)
-21%
(184)
+44%
(35)
+81%
(165)
-369%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
1 352
0
0
1 318
(185)
0
0
0
0
0
0
0
Net Issuance of Debt
521
900
1 267
1 201
1 335
2 004
1 920
2 114
1 505
553
80
(679)
(435)
(609)
(202)
Cash Paid for Dividends
0
(101)
(148)
(53)
0
0
(6)
(200)
0
0
(274)
(74)
0
0
(74)
Other
(161)
(61)
(61)
(160)
0
3
2
(1)
(1)
(3)
(2)
2
2
1
(0)
Cash from Financing Activities
403
N/A
881
+119%
1 202
+36%
2 339
+95%
2 634
+13%
3 307
+26%
3 235
-2%
1 728
-47%
1 119
-35%
165
-85%
(347)
N/A
(751)
-116%
(507)
+33%
(682)
-34%
(276)
+59%
Change in Cash
Effect of Foreign Exchange Rates
(31)
(33)
(20)
26
23
45
16
7
5
38
(57)
(29)
(7)
(75)
50
Net Change in Cash
(423)
N/A
(34)
+92%
52
N/A
974
+1 775%
946
-3%
471
-50%
226
-52%
(1 004)
N/A
(927)
+8%
(421)
+55%
(314)
+25%
28
N/A
26
-5%
(22)
N/A
1
N/A
Free Cash Flow
Free Cash Flow
(844)
N/A
(1 133)
-34%
(1 564)
-38%
(1 302)
+17%
(1 673)
-29%
(2 705)
-62%
(2 606)
+4%
(2 769)
-6%
(1 971)
+29%
(533)
+73%
147
N/A
772
+425%
381
-51%
485
+27%
103
-79%

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